BANK RISKS AND THEIR MANAGEMENT

Authors

  • Mengliyev Dilshod Shodiyor ugli
  • Abduvakhobov Shakhzod

Keywords:

Key words: Bank, risks, fund, fund, resource value, salary, bank service.

Abstract


Abstract: Bank activity cannot be imagined without risk. Of course, there is
risk in any business. But if it is determined by the nature of the activity, the risk for
the banking business is considered to be a process that occurs immediately. Because
of this, it is not about avoiding risk at all in banking, but about predicting it and
reducing it to a minimum level. Risk management aims to complete the process with
a positive result, even if in most cases the "risk" of losing a part of the bank's own
funds, not being able to earn income or incurring additional costs as a result of
carrying out financial operations yadi

References

References:

И. Лаврушин, Н.И. Валенцева Банковские риски: учебное пособие 2009[1]

Усоскин В.М. Современный коммерческий банк: управление и операции.[2]

Беляков А.В. Банковские риски: проблемы учета, управления и

регулирования. 2003.[3]

Роуз Питер С. Банковский менеджмент. М.: Дело, 1995[4]

Панова Г.С. Кредитная политика коммерческого банка. М.: 1997[5]

Хохлов Н.В. Управление риском: учеб. пособие для вузов.[6]

Костюченко Н. Анализ кредитных рисков 2010[7]

Published

2024-01-01

How to Cite

Mengliyev Dilshod Shodiyor ugli, & Abduvakhobov Shakhzod. (2024). BANK RISKS AND THEIR MANAGEMENT . Лучшие интеллектуальные исследования, 11(2), 104–108. Retrieved from https://web-journal.ru/journal/article/view/2546